Share Transactions


Table of Contents

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Transaction Summary

Transaction Type Shares Traded Number of Transactions Average Shares Traded Per Transaction
BUY 77445 7 11063.57
SELL 190059 13 14619.92
TOTAL 267504 20 13375.20
DIFFERENCE (between buy/sell trades) 112614 (between buy/sell transactions) 6

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Transaction Details

Number Date Type Quantity Company Code Client ID
1 April 1 1999 BUY 650 Coles Myer Ltd CML David Taylor and Associates DT726
2 May 24 1999 SELL 700 News Corporation ncp Kerry Packer PK221
3 August 2 1999 SELL 21000 Star City Casino scy Garside and Stevenson Chambers GW919
4 May 21 1999 BUY 3200 Caltex Petroleum ctx Leonardo Lee LE307
5 January 1 1998 BUY 5170 Charles Sturt University csu Jack Frost JF930
6 February 2 1998 SELL 1000 American Express AMEX Hawker de Haviland AM203
7 March 7 2000 BUY 2275 World Publishing Conglomeration wpg Bill Harris BH222
8 April 9 2000 SELL 3000 BHP bhp Tom Hopkins TH987
9 May 15 2000 BUY 50 ABC abc Fred Nurk TH987
10 June 30 2000 BUY 6100 Microsoft MS Bill Gates BG000
11 July 13 2000 SELL 7500 Novell NV Hooten and Daughters MD831
12 August 19 2000 SELL 54613 Smithsonian Institute of Technology SIT Branwhite and Braithwaite bb385
13 September 25 2000 SELL 963 Alcatel Pty Ltd apl John Smith JS333
14 October 15 2000 SELL 89383 The Footware Company TFC Dawson, Dawson, and Waldren DDW127
15 November 17 2000 SELL 550 Sterling Software SS Arthur Andersen AA334
16 December 3 2000 SELL 50 Gresham Software Labs GSL Anthony Thompson gsl009
17 January 1 2001 SELL 2500 IBM ibm Managing Director ibm777
18 February 2 2001 SELL 7300 ACL acl John Brown acl503
19 March 16 2001 SELL 1500 International Harvesters ihpl Don Venables IHPL87
20 April 23 2001 BUY 60000 Consolidated Holdings ch Fred Anderson ch455

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Last updated: Wednesday 30 October 2002, 14:41:48